|
Laminar's Funds Management platform provides clients with Australian denominated fixed income investment opportunities and management solutions. Laminar Funds Management is an fixed income asset manager with domestic and global expertise. We are focused on understanding and managing risk while striving for and producing absolute returns within the fixed income markets. We have experience in all types of fixed income product including, NCDs, bank debt, corporate bonds, bank loads, hybrid securities, credit derivatives, residential mortgage-backed securities, asset backed securities and structured products. We have a proven investment approach that covers the full spectrum of top-down to bottom-up research from understanding the broad macro environment to producing in-depth analysis on specific credits. This approach has allowed us to create returns for our clients that are independent and uncorrelated to moves in other markets. We understand that the credit markets can be opaque which can lead to inefficiencies. We maintain strong relationships with contacts within the global credit markets, and this allows us to create a clearer picture of the credit landscape. The credit markets are constantly changing and we invest time into understanding how these changes may present opportunities. We are zealous about risk management. We view and analyse risk in many different ways. We incorporate standard risk management techniques but also apply more sophisticated approaches so that we can understand how our portfolios react to different market conditions. As a boutique organisation we have a number of advantages including:
|